Job Summary
The Fixed Income Analyst will be responsible for conducting in-depth analysis of fixed income securities, interest rate trends, and macroeconomic conditions to support investment decisions and portfolio management activities. The role requires expertise in fixed income markets, credit analysis, portfolio monitoring, and risk assessment.
Key Responsibilities
Fixed Income Research & Analysis
Analyze government securities, corporate bonds, treasury bills, commercial papers, and money market instruments.
Monitor interest rate movements, inflation trends, and macroeconomic indicators affecting fixed income markets.
Conduct credit analysis and evaluate the financial strength of issuers.
Develop investment recommendations based on market conditions and portfolio objectives.
Portfolio Management Support
Monitor and evaluate the performance of fixed income portfolios.
Assist in portfolio construction and asset allocation decisions.
Conduct duration analysis, yield curve analysis, and scenario testing.
Identify investment opportunities and recommend trading strategies.
Market Monitoring & Reporting
Prepare daily, weekly, and monthly market reports.
Track developments in monetary policy and economic indicators.
Analyze market risks and provide actionable insights.
Prepare investment memoranda and presentations for management and clients.
Risk Management
Conduct credit risk and interest rate risk assessments.
Monitor portfolio exposure and compliance with investment guidelines.
Support stress testing and sensitivity analysis exercises.
Ensure adherence to internal risk management policies.
Stakeholder Engagement & Collaboration
Collaborate with portfolio managers, traders, and investment teams.
Build relationships with market participants, regulators, and counterparties.
Support investment committee meetings and provide analytical insights.
Assist in preparing client reports and presentations.
Qualifications & Experience
Bachelor’s degree in Finance, Economics, Accounting, Mathematics, Statistics, or a related discipline.
Professional certifications such as CFA, ACA, ACCA, or CIS is an advantage
Minimum of 3-5 years of experience in fixed income research, treasury management, asset management, or investment banking.
Strong understanding of Nigerian fixed income markets and monetary policy dynamics.
go to method of application
interested candidates can forward their CVs to careers@elvaridah.com using the job title as the subject of the mail
Qualifications
BA/BSc/HND , Professional Certificate
Experience Required
3 - 5 years